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UBL Government Securities Fund - UBL AMC

34 /100

Total AUM

Rs. 13.3B

Expense Ratio

1.31%

Category Rank

#30 of 52

AI Analyst Thesis
⚖️ Neutral

Live NAV

Rs. 114.6073
▲ 0.04% 1D ▲ 2.47% YTD
Data As Of:
February 01, 2026

Interactive Performance

Rs.

Executive Summary

Institutional health checks and AI strategy overview.

Overall Score

34 / 100

Fund DNA X-Ray

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Health Checks

  • Clean Portfolio: Zero non-compliant or provisioned assets detected.

  • Underperforming: 1Y Return (6.19%) trails the category median (6.24%).

  • High Consistency: 31 out of 36 months (87%) were positive over the last 3 years.

  • Expensive: Expense ratio (1.31%) is higher than the category median (1.10%).

AI Strategy X-Ray

The fund posted a 3.70% annualized return in February 2026, lagging slightly behind its benchmark's 10.21% return. The performance was constrained by a sharp correction in the broader market driven by geopolitical tensions and a tightening of external financing, which pushed yields higher across the curve. Inflation remained elevated at 6.98% YoM, while the policy rate held steady, limiting upside for government securities. Despite these headwinds, the fund's low volatility and medium risk profile helped preserve capital.

Key Manager Actions

  • Portfolio Shift: The fund increased its allocation to PIB floating‑rate instruments (up to 28.6%) to benefit from the recent rise in short‑term yields, while trimming cash holdings marginally.
  • Yield Dynamics: Yield to maturity stands at 10.54%, comfortably above the benchmark’s 10.21%, delivering a modest spread that supports the fund’s 3.70% February return despite a challenging market environment.
  • Outlook: With the policy rate expected to hold and geopolitical risks remaining uncertain, the manager is likely to keep the duration short and maintain the current asset mix, positioning the fund for stable income while awaiting a potential market rebound.

Performance vs. Peers

Trailing absolute returns and consistency analysis.

Sleep Well Metric

Trailing Returns vs Benchmark

Top Tier Alternatives

Algorithmic recommendations based on Master Score and Category performance.

Portfolio X-Ray

Behavioral analysis, historical allocations, and conviction tracking.

AI Reading the Tea Leaves

The Asset River (12M History)

Market Timing Visualizer

Concentration Style

Top 10 Holdings Weight: --%

Broad/Index Aggressive Focus

Manager's Playbook (1M Delta)

Holdings DNA

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Risk & Quant Desk

Institutional engine diagnostics, crash testing, and momentum analysis.

The Magic Quadrant (Risk vs Return)

AI Analyst Note

Engine Diagnostics

Market Capture

Trend & Momentum

Yield & Income Stream

Payout reliability, capital preservation, and cashflow simulation.

Audit & Governance Desk

Fee drag simulation, operational security, and historical FMR vault.

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